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Bank of Italy paper presents new financial stress indicator

A working paper published by the Bank of Italy presents a new model for spotting financial stress in the Italian economy.

In An indicator of macro-financial stress for Italy, Arianna Miglietta and Fabrizio Venditti present a model that aggregates information from five major segments of the financial system. They use data from the markets for money, bonds, equities, foreign exchange and the stocks of financial intermediaries.